DAX closes unchanged amid Iran tensions

The DAX closed unchanged at 22,636 points on Tuesday amid uncertainty from the Iran conflict. The index dipped as much as 1.2 percent intraday, following Monday's gains. US President Donald Trump extended an ultimatum to Tehran.

Reported from Düsseldorf: The Iran conflict has markedly increased volatility in financial markets. Tuesday's session failed to sustain Monday's positive momentum. The DAX closed at 22,636 points, unchanged from the previous day. It traded down as much as 1.2 percent intraday. The SAP share dropped sharply, though specific figures were not provided. Brent crude rose above 100 dollars on conflict fears and supply concerns. Iran denied direct talks with the United States. On Monday, the DAX surged following an announcement by US President Donald Trump. The index gained up to 1,300 points, peaking nearly 3.5 percent higher, before closing 1.2 percent up at 22,654 points. Trump had threatened Tehran on Sunday with a 48-hour ultimatum to free the Strait of Hormuz, warning otherwise of US strikes on Iranian power plants. On Monday, he extended the deadline by five days, citing 'productive talks' with Tehran over the weekend.

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Dramatic scene of panicked traders at Seoul's stock exchange amid Kospi crash due to US-Iran conflict.
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Asian markets plunge amid US-Iran war

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Asian stock markets opened in the red on Wednesday due to the US-Iran conflict, with South Korea experiencing a historic plunge in its Kospi index. Positive US employment data boosted gains in Wall Street and the Mexican Stock Exchange. President Claudia Sheinbaum assured that Mexico is working to prevent fuel price increases.

The DAX gained 0.5 percent on Monday, closing at 23,564 points, despite concerns over a possible escalation in the Iran war. US President Trump demanded support from NATO partners. The German government rejects deploying warships.

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Financial markets shrug off the US military intervention in Venezuela and the capture of Nicolás Maduro, as the Ibex 35 surpasses 17,600 points. European and US stock indices rise moderately, while oil prices climb 1%. Investors choose caution amid geopolitical risks.

韓国ウォンは火曜日、ドナルド・トランプ米大統領がイランのエネルギー関連施設への攻撃を延期したことを受け、対ドルで急伸し、17年ぶりの安値から回復した。この動きは、中東紛争終結に向けた「建設的」とされる対話の中で行われた。今回の反発は、ホルムズ海峡の封鎖による石油供給停止を受けた市場のボラティリティに続くものである。

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South Korean stocks pared early losses to close nearly unchanged on Friday amid the ongoing Middle East crisis stemming from the Iran conflict. The KOSPI index ended at 5,584.87, up 0.02 percent, while the won weakened against the U.S. dollar. Autos and defense shares led the gains.

中東情勢の緊迫化による原油価格の高騰で、東京株式市場は9日、急落した。日経平均株価は一時7.6%下落し、終値で5.2%安の52,728.72円となった。投資家はインフレと景気減速への懸念を強めている。

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25日水曜日のソウル株式市場は、1か月間に及ぶイランでの紛争を終結させるためのワシントンの動きに対し、期待感が高まり大幅高で始まった。ベンチマークであるKOSPIは、取引開始から15分で170.22ポイント(3.06%)上昇し、5,724.14を記録した。

 

 

 

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